We are hiring Portfolio Managers for an hourly contract to support the development of advanced AI systems that model real-world investment decision‑making. If you have deep investment expertise and enjoy shaping high-level strategy, this role offers a unique opportunity to influence the next generation of financial intelligence.
What You’ll Do
- Work with AI teams to train and evaluate models on portfolio construction, optimization, and risk management.
- Assess model outputs for investment logic, allocation quality, and real-world consistency.
- Provide expert feedback on strategies, asset selection, and market interpretation.
- Help build evaluation frameworks grounded in established portfolio management principles.
- Participate in collaboration sessions a few times per week to review experiments and guide strategic reasoning.
What You Bring
- 8+ years in portfolio management, investment strategy, or asset management.
- Robust command of risk analytics, allocation methods, optimization, and performance attribution.
- Proficiency in financial modeling tools (Python, Excel, R, or MATLAB preferred).
- Advanced degree or CFA/MBA strongly preferred.
- Excellent communication and investment reasoning skills.
- Availability for 20–30 hours per week.
Why This Role
- Shape how AI models understand markets, risk, and investment strategy.
- Flexible schedule with self-selected collaboration windows.
- Hourly contract with premium compensation: $100 per hour.
- Work alongside top researchers, quants, and data scientists at the frontier of finance and AI.
Apply Now!
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